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8/25 Just woke up and reviewed yesterday's market. It's a bit of a pity; if it had been during the day, I would have definitely caught it.
Originally, the long position at 4732 yesterday was prepared to look for a new high. The initial plan was to push down slightly below 4890 and consolidate around 4800. Today, during the day, it was planned to pull up to the positions of 4920-4950, and the layout was prepared to short at this position to gain 300-500 points.
Then at midnight, I received an empty alert, got up to check and saw that it had dropped, so I shorted at 4925. After closing that, I placed a short order at 4956, with a stop loss set at 4970. As a result, that damn 4955.8 was quite frustrating. (I had manually entered during the day.)
That being said, I will also incur losses on my limit orders, but overall, it must be profitable.
The script I anticipated yesterday was completed in one night. Now I have to wait again for the next wave of rhythm.
Did everyone manage to take profit on the long positions yesterday? I also suggested to hold on when it was above 4800, and I provided the first notification when it was time to exit at 4925.
#加密市场反弹#
#美联储7月会议纪要#